Attached files
file | filename |
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10-K - FORM 10-K - NATIONWIDE HEALTH PROPERTIES INC | a55048e10vk.htm |
EX-31 - EX-31 - NATIONWIDE HEALTH PROPERTIES INC | a55048exv31.htm |
EX-32 - EX-32 - NATIONWIDE HEALTH PROPERTIES INC | a55048exv32.htm |
EX-21 - EX-21 - NATIONWIDE HEALTH PROPERTIES INC | a55048exv21.htm |
EX-23.1 - EX-23.1 - NATIONWIDE HEALTH PROPERTIES INC | a55048exv23w1.htm |
EX-10.25 - EX-10.25 - NATIONWIDE HEALTH PROPERTIES INC | a55048exv10w25.htm |
EX-10.24 - EX-10.24 - NATIONWIDE HEALTH PROPERTIES INC | a55048exv10w24.htm |
EXHIBIT 12
Ratio of Earnings to Fixed Charges
2009 | 2008 | 2007 | 2006 | 2005 | ||||||||||||||||
Ratio of earnings to fixed charges: |
||||||||||||||||||||
Ratio |
2.34 | 2.06 | 2.34 | 1.60 | 1.51 | |||||||||||||||
Income from continuing operations |
$ | 125,207 | $ | 107,048 | $ | 130,368 | $ | 51,107 | $ | 31,796 | ||||||||||
Interest |
93,630 | 101,045 | 97,639 | 85,541 | 62,625 | |||||||||||||||
Earnings |
$ | 218,837 | $ | 208,093 | $ | 228,007 | $ | 136,648 | $ | 94,421 | ||||||||||
Interest |
$ | 93,630 | $ | 101,045 | $ | 97,639 | $ | 85,541 | $ | 62,625 | ||||||||||
Capitalized interest |
| | | | | |||||||||||||||
Fixed charges |
$ | 93,630 | $ | 101,045 | $ | 97,639 | $ | 85,541 | $ | 62,625 | ||||||||||
Ratio of earnings to combined fixed
charges and preferred stock dividends: |
||||||||||||||||||||
Ratio |
2.21 | 1.91 | 2.05 | 1.36 | 1.21 | |||||||||||||||
Income from continuing operations |
$ | 125,207 | $ | 107,048 | $ | 130,368 | $ | 51,107 | $ | 31,796 | ||||||||||
Interest |
93,630 | 101,045 | 97,639 | 85,541 | 62,625 | |||||||||||||||
Earnings |
$ | 218,837 | $ | 208,093 | $ | 228,007 | $ | 136,648 | $ | 94,421 | ||||||||||
Interest |
$ | 93,630 | $ | 101,045 | $ | 97,639 | $ | 85,541 | $ | 62,625 | ||||||||||
Capitalized interest |
| | | | | |||||||||||||||
Preferred dividends |
5,350 | 7,637 | 13,434 | 15,163 | 15,622 | |||||||||||||||
Combined fixed charges and
preferred stock dividends |
$ | 98,980 | $ | 108,682 | $ | 111,073 | $ | 100,704 | $ | 78,247 | ||||||||||